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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
LC
901
LCNB Corp
Ohio
$709K
LHC
902
Little House Capital
Massachusetts
$705K +$189K +1,018 +39%
ORC
903
O'Rourke & Company
Massachusetts
$702K +$185 +1 +0%
ICG
904
InterOcean Capital Group
Tennessee
$701K -$266K -1,435 -29%
KFP
905
KMG Fiduciary Partners
Ohio
$689K +$8.7K +47 +1%
TAM
906
Titleist Asset Management
Texas
$687K +$98.2K +530 +18%
HI
907
Horizon Investments
North Carolina
$683K -$165K -892 -20%
OTPPB
908
Ontario Teachers' Pension Plan Board
Ontario, Canada
$683K -$932K -5,031 -59%
MC
909
Moors & Cabot
Massachusetts
$682K +$17K +92 +3%
RA
910
RFG Advisory
Alabama
$678K -$13.3K -72 -2%
CPC
911
Consolidated Planning Corp
Georgia
$676K +$643K +3,471 New
MG
912
Mather Group
Illinois
$676K -$100K -542 -14%
ACIM
913
Azimuth Capital Investment Management
Michigan
$672K
HFM
914
Harvest Fund Management
China
$670K +$61.9K +334 +11%
MLL
915
Moody Lynn & Lieberson
Massachusetts
$669K +$140K +755 +28%
CWM
916
Circle Wealth Management
New Jersey
$666K -$3.33K -18 -0.5%
SIM
917
Sentry Investment Management
Wisconsin
$666K
MC
918
Matisse Capital
Oregon
$665K
IPAM
919
ICICI Prudential Asset Management
India
$664K +$31.5K +170 +5%
WPW
920
Waldron Private Wealth
Pennsylvania
$661K -$88.5K -478 -12%
AFT
921
Alpha Family Trust
California
$660K
JSL
922
JT Stratford LLC
Georgia
$653K +$91.3K +493 +17%
ZIG
923
Zullo Investment Group
Pennsylvania
$651K
AC
924
Avestar Capital
New York
$646K -$18K -97 -3%
FCI
925
Financial Counselors Inc
Kansas
$642K -$73.3K -396 -11%